Nasdaq Financial Ratios for Analysis 2009-2024 | NDAQ

Fifteen years of historical annual and quarterly financial ratios and margins for Nasdaq (NDAQ).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.010.970.941.561.010.971.051.121.121.141.131.471.091.031.18
0.480.430.430.460.350.350.390.400.300.280.300.260.290.320.27
0.970.880.910.860.600.700.720.660.420.400.430.380.420.490.42
64.2357.5358.1051.6159.5459.0661.0761.4561.4259.0659.0253.6549.1647.5142.60
26.0225.1224.4821.9423.8824.0425.1022.5721.1621.5421.4322.1220.2419.7717.68
26.0225.1224.4821.9423.8824.0425.1022.5721.1621.5421.4322.1220.2419.7717.68
31.3529.2629.2025.5328.3528.9529.8627.1625.2125.4625.2325.4523.5923.1921.05
23.1023.6926.0621.5523.9324.8822.093.5918.5116.9718.6917.5616.6716.4811.46
17.4618.0720.1716.5918.1810.7118.472.8612.5811.8311.9911.2811.2612.357.80
0.190.300.290.310.310.270.260.260.290.290.260.340.240.200.32
---------------
6.539.2010.019.9410.0911.1411.098.6310.779.008.179.3711.1610.7111.33
55.9239.6936.4636.7336.1732.7732.9142.2733.8940.5744.6738.9632.7034.0932.21
9.7618.2218.5314.5013.738.4112.401.957.617.136.216.707.688.235.32
-9.85-24.87-24.52-34.96-26.01-14.25-22.97-3.94-24.47-22.68-16.08-19.65-22.23-18.38-17.69
3.275.385.905.195.562.924.750.753.603.423.053.822.722.402.45
5.0410.3010.587.798.965.457.591.175.365.104.384.955.435.633.86
18.8212.5412.8113.0111.3911.0011.7110.8711.3811.4412.1710.489.588.977.80
3.343.432.142.501.922.041.791.531.411.221.121.141.240.710.90
3.033.121.822.131.671.821.501.271.160.950.890.971.080.640.81

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.940.991.011.751.600.980.970.960.940.920.940.981.021.021.561.161.110.971.010.950.960.840.970.940.930.931.051.150.991.011.121.071.071.071.121.111.101.071.141.111.090.981.131.131.081.441.471.651.431.641.091.141.091.041.031.221.241.251.181.121.111.07
0.460.470.480.600.610.440.430.440.450.440.430.460.450.460.460.370.380.350.350.360.350.300.350.350.360.360.390.380.350.380.400.390.390.310.300.300.290.290.280.280.280.250.300.310.310.260.260.270.280.280.290.300.290.300.320.270.290.290.270.280.320.34
0.900.920.971.501.590.830.880.910.980.980.910.930.850.930.860.590.600.760.600.650.630.650.700.690.690.720.720.650.640.680.660.640.650.450.420.440.400.420.400.380.390.400.430.450.480.380.380.390.400.390.420.440.430.450.490.390.440.420.420.420.510.58
64.6866.7367.7664.7864.5559.6257.3357.1657.5458.1160.3761.7559.9251.5453.9450.6050.0051.8160.8357.6658.7261.0256.8362.2459.8857.8661.8662.4959.9659.9661.4662.9762.3259.0161.8260.7364.1959.0956.3760.7660.4658.9161.3262.8655.4156.1855.7655.2352.3951.4950.5946.1949.5850.6750.7149.1444.0246.6945.0443.0941.2841.23
23.6024.4921.4329.7026.6626.8822.0625.5626.5526.3823.4726.2326.6322.1121.7723.0722.5320.3324.4820.6224.1326.4721.1525.5226.1923.7223.6327.1524.3525.3921.5825.0819.4024.2028.2626.5226.893.1518.7225.3122.0820.4927.9525.0919.5312.1023.0522.7921.4721.2719.0020.6618.8822.4522.5221.8020.2014.5317.9916.1717.8918.55
23.6024.4921.4329.7026.6626.8822.0625.5626.5526.3823.4726.2326.6322.1121.7723.0722.5320.3324.4820.6224.1326.4721.1525.5226.1923.7223.6327.1524.3525.3921.5825.0819.4024.2028.2626.5226.893.1518.7225.3122.0820.4927.9525.0919.5312.1023.0522.7921.4721.2719.0020.6618.8822.4522.5221.8020.2014.5317.9916.1717.8918.55
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19.0318.6416.8226.9523.5225.8320.3524.5325.5824.3621.4227.3432.1523.9218.2125.2722.6020.1823.7319.6222.5330.1328.9021.6828.0420.7620.7824.2521.2322.19-41.8321.4216.2821.5525.1423.6523.791.6310.5621.8818.7317.3727.7121.2416.587.9320.1317.9615.3417.0414.2518.0115.6518.6519.0518.8916.4811.546.2410.3712.8215.87
12.3913.9811.9020.2618.6319.7015.1718.8819.7818.5017.7421.2224.1518.0515.4018.6817.2415.0019.1113.6916.4023.77-3.8816.9115.7715.3824.0217.6214.6917.34-23.3314.107.8014.5917.0715.8416.481.059.4715.0411.6811.4716.7514.0410.815.6511.2611.9311.4110.579.6211.6510.9912.7617.5013.3410.847.915.267.417.7610.50
0.060.060.050.060.060.070.080.070.070.070.070.070.080.090.080.100.100.090.080.080.080.070.070.060.070.070.070.060.070.070.070.060.060.070.070.070.070.070.080.060.070.070.070.060.070.080.080.080.090.090.060.070.060.050.050.070.090.070.080.070.080.07
--------------------------------------------------------------
1.871.811.772.442.402.302.342.442.382.472.492.462.532.882.582.802.672.382.522.752.562.322.962.712.542.372.873.022.542.072.272.662.252.722.743.132.502.492.362.212.192.072.162.162.252.352.272.282.392.462.732.722.432.492.612.462.452.052.712.142.322.52
48.2149.7350.7736.9137.4939.1038.5136.8837.8136.4136.1036.6135.6331.2934.8732.1033.6737.7835.7632.7635.2038.7230.4533.2435.4938.0031.4129.8435.4943.3739.6833.8140.0333.1232.8028.7336.0236.0838.1040.7141.1043.5041.7141.5940.0238.3539.7039.4537.6636.6032.9233.0836.9936.1134.5236.6236.6744.0133.1642.1138.7735.70
2.042.151.804.544.274.873.885.005.254.704.064.535.114.703.504.394.193.763.602.823.134.50-0.812.912.923.094.172.962.623.14-4.182.281.222.322.642.492.310.161.482.011.631.652.281.871.500.811.611.731.851.631.602.181.762.042.831.972.021.220.851.191.512.21
-2.17-2.23-1.82-7.43-6.26-6.74-5.29-6.33-6.18-5.59-5.37-5.71-7.02-5.80-8.43-9.42-8.18-6.49-6.82-4.77-5.55-7.681.37-5.27-5.12-5.44-7.72-6.77-5.28-6.008.44-4.10-2.13-6.44-8.48-7.44-7.49-0.50-4.72-6.48-4.65-4.49-5.90-4.44-3.43-2.43-4.73-4.96-5.23-4.86-4.64-6.39-4.66-4.96-6.33-6.09-7.06-4.15-2.82-3.63-4.10-5.66
0.730.770.601.211.041.451.151.281.361.361.291.571.901.611.251.781.661.371.461.161.231.70-0.281.101.071.121.601.131.001.16-1.600.880.460.961.251.171.090.070.710.970.770.791.120.910.740.460.921.001.030.930.570.830.640.570.830.970.960.570.390.480.580.75
1.101.130.931.821.662.752.192.812.912.622.322.442.812.531.882.752.612.432.351.812.033.16-0.521.881.881.992.551.821.691.95-2.511.390.741.601.861.731.650.111.061.451.171.241.611.291.030.601.191.261.331.181.131.521.261.431.941.441.440.870.620.861.031.45
18.9418.7918.8213.1912.7212.6112.5411.9811.9112.2012.8112.6713.1412.8613.0112.2211.6810.9511.3910.8311.1911.0511.0011.3911.2311.4311.7111.4711.1710.8010.8711.6111.5111.5411.3811.2711.2810.9411.4412.1012.2712.1912.1712.0611.6910.4610.4810.369.9110.019.589.409.719.528.978.567.727.857.807.857.427.02
1.710.923.342.591.981.143.432.441.971.212.141.370.940.792.501.631.650.761.921.251.040.672.041.331.300.741.791.191.020.481.530.970.850.501.410.920.790.451.220.780.740.351.120.650.500.291.140.700.610.201.240.800.790.310.710.420.36-0.020.900.350.350.13
1.550.853.033.221.821.063.122.821.821.141.821.150.770.702.131.371.510.711.671.070.920.631.821.191.210.711.500.990.890.411.270.800.750.461.160.740.670.400.950.600.610.290.890.500.410.250.970.570.530.171.080.710.750.300.640.370.32-0.040.810.280.300.10